Recent Annual Filings for RELY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,036,306,000 $944,285,000 $1,058,480,000 $-116,762,000 $-53,590,000 $126,650,000 $24,295,000
2022 $695,953,000 $653,560,000 $774,596,000 $-115,015,000 $-105,140,000 $11,071,000 $-102,579,000
2021 $625,664,000 $458,605,000 $498,327,000 $-39,094,000 $-18,391,000 $238,203,000 $215,238,000
2016 $645,500,000 $1,249,700,000 $1,353,500,000 $-108,700,000 $9,300,000 $35,000,000 $-10,200,000
2015 $700,900,000 $1,145,600,000 $1,186,400,000 $-7,800,000 $92,500,000 $358,000,000 $-27,100,000